Financial trading mechanism allowing investors to hold both long and short positions through leverage to profit from market movements in either direction. Widely used in derivatives markets including futures, CFDs, forex, and cryptocurrencies.
This mode's core lies in investors' ability to profit from both price increases and decreases while maximizing capital utilization efficiency through leverage. Investors must deposit margin as risk collateral.
All trading systems integrate professional chart display modules, providing real-time market trends, technical indicator analysis, market depth information, and supporting multiple timeframes and custom analysis requirements, offering powerful technical analysis support for trading decisions.